Keep up to date with Lombard Risk here: regularly updated with Press Releases, Regulatory Notices, details of Events, Comment Pieces from our risk and regulatory experts, coverage in the press and opinions on our CEO Blog. For more information on any of the items please contact marketing@lombardrisk.com. Enquiries from journalists to receive press releases and/or comment from our business experts on topical issues are welcome.
Lombard Risk acquires regulatory reporting business of SOFGEN
Download a pdf version of this press release LONDON, UK – 19th December 2011: Lombard Risk Management plc (LSE: LRM) (“Lombard Risk”), a leading provider of integrated collateral management and liquidity, regulatory and MIS reporting solutions for the financial services industry, announces that it has acquired the regulatory reporting business of SOFGEN for a total consideration of US$ 4,250,000 payable in a combination of cash, loan notes and equity. The acquired business is profitable, and in addition the Board expects … Continue reading
Asia Pacific team expanded to meet incre
SunGard and OMGEO professionals join in key management roles Singapore office relocates Downnload a pdf version of this press release LONDON, England – 12th December 2011: Lombard Risk Management plc (LSE: LRM) (“Lombard Risk”), a leading provider of integrated collateral management and liquidity, regulatory and MIS reporting solutions for the financial services industry, today announces two key appointments to support the firm’s expansion in Asia Pacific in line with an increase in demand for risk and regulatory solutions in the … Continue reading
30 Nov 2011: Lombard Risk REPORTER selec
Asia Pacific reporting hub: Singapore, Hong Kong, Japan, Indonesia and China Meets CBRC, SAFE and PBOC regulatory demands in China Download pdf version of this press release Download Chinese version of this press release LONDON, England – 30th November 2011: Lombard Risk Management plc (LSE: LRM) (“Lombard Risk”), a leading provider of integrated collateral management and liquidity, regulatory and MIS reporting solutions for the financial services industry, announces an international financial services provider’s decision to expand its use of Lombard … Continue reading
Archived Articles
Lombard Risk acquires regulatory reporting business of ...
Download a pdf version of this press release LONDON, UK – 19th December 2011: Lombard Risk Management plc (LSE: LRM) (“Lombard Risk”), a leading provider of integrated collateral management and liquidity, regulatory and MIS reporting solutions for the financial services industry, announces that it has acquired the regulatory reporting business of SOFGEN for a total consideration of US$ 4,250,000 payable in a combination of cash, loan notes and equity. The acquired business is profitable, and in addition the Board expects … Continue reading
Asia Pacific team expanded to meet increased demand in ...
SunGard and OMGEO professionals join in key management roles Singapore office relocates Downnload a pdf version of this press release LONDON, England – 12th December 2011: Lombard Risk Management plc (LSE: LRM) (“Lombard Risk”), a leading provider of integrated collateral management and liquidity, regulatory and MIS reporting solutions for the financial services industry, today announces two key appointments to support the firm’s expansion in Asia Pacific in line with an increase in demand for risk and regulatory solutions in the … Continue reading
30 Nov 2011: Lombard Risk REPORTER selected for Chinese...
Asia Pacific reporting hub: Singapore, Hong Kong, Japan, Indonesia and China Meets CBRC, SAFE and PBOC regulatory demands in China Download pdf version of this press release Download Chinese version of this press release LONDON, England – 30th November 2011: Lombard Risk Management plc (LSE: LRM) (“Lombard Risk”), a leading provider of integrated collateral management and liquidity, regulatory and MIS reporting solutions for the financial services industry, announces an international financial services provider’s decision to expand its use of Lombard … Continue reading
15 Nov 2011: Lombard Risk highlighted as “signifi...
A jump of 15 places in Chartis report “leading the supplier table” in Association of Foreign Banks MIS survey 10% increase in revenue published in interim report Download pdf version of this press release View interim results LONDON, England – 15th November 2011: Lombard Risk Management plc (LSE: LRM) (“Lombard Risk”), a leading provider of integrated collateral management and liquidity, regulatory and MIS reporting solutions for the financial services industry, acknowledged by analyst and industry body surveys - and growth reflected in firm’s interim … Continue reading
Association of Foreign Banks votes Lombard Risk “...
LONDON, England – 11th November 2011: Lombard Risk Management plc (LSE: LRM) (“Lombard Risk”), a leading provider of integrated collateral management and liquidity, regulatory and MIS reporting solutions for the financial services industry is declared leading supplier by the Association of Foreign Banks (AFB). Download pdf version of this press release Distributed on Marketwire The MIS survey carried out by the Association of Foreign Banks placed Lombard Risk at the top of the supplier table for regulatory reporting systems. This … Continue reading
27 Oct 2011: Erste Group Bank AG selects Lombard Risk...
COLLINE : a complete end-to-end collateral management solution for proactively managing collateral across the organisation Read this press release in FRENCH Read this press release in GERMAN View a pdf version of this press release LONDON, UK – October, 2011: Lombard Risk Management plc (LSE: LRM) (“Lombard Risk”), a leading provider of integrated collateral management, liquidity and regulatory reporting solutions for the financial services industry, announces that one of the largest financial services providers in Central and Eastern Europe – … Continue reading
26 Oct 2011: Interim results for the six months ended 3...
Download a pdf version of this press release For the full RNS announcement visit the London Stock Exchange website: RNS number 9166Q17 See coverage on the Financial Times website LONDON, UK – 26th October, 2011: Lombard Risk Management plc (LSE: LRM) (“Lombard Risk”), a leading provider of integrated collateral management, liquidity and regulatory reporting solutions for the financial services industry, is pleased to announce its interim results for the six months ended 30 September 2011. Highlights Revenue up 10% on … Continue reading
Red Hot Penny Shares...
Why this Penny share could be the big winner in the era of bank regulation. “The current market conditions increase the valuation challenges and risks faced by banks and investment firms. Our close and continuous review work over the last 12 months has shown that firms’ valuation processes and controls have become increasingly stretched, and in some cases proved to be materially flawed or inadequate.”
Contract win with tier 1 German bank...
Lombard Risk Management plc (LSE: LRM) (“Lombard Risk”), a leading provider of integrated collateral management and liquidity, regulatory and MIS reporting solutions for the financial services industry, announces a major extension to its contract with a Tier 1 German bank Continue reading
6 Sep 2011: New version of regulatory reporting solutio...
Lombard Risk announces new version of regulatory reporting solution Version 5 of STB-Reporter: web-based with stress testing and MIS Download a pdf version of this press release LONDON, UK – 6th September 2011: Lombard Risk Management plc (LSE: LRM) (“Lombard Risk”), a leading provider of integrated collateral management and liquidity, regulatory and MIS reporting solutions for the financial services industry, announces a new version of its regulatory reporting solution – using web technology, with significantly enhanced and many new features … Continue reading
New release of Lombard Risk COLLINE collateral manageme...
Download pdf version of this press release LONDON, England – 12th August 2011: Lombard Risk Management plc (LSE: LRM) (“Lombard Risk”), a leading provider of integrated collateral management and liquidity, regulatory and MIS reporting solutions for the financial services industry, announces latest release of COLLINE collateral management solution with combination of enhanced and new features. COLLINE is a state-of-the-art, web-based solution designed by experienced business practitioners for end-to-end, cross-product collateral management. It provides a consolidated solution for mitigating credit risk … Continue reading
Societe Generale selects Lombard Risk’s COLLINE f...
LONDON, UK – 12th July 2011: Lombard Risk Management plc (LSE: LRM) (“Lombard Risk”), a leading provider of integrated collateral management, liquidity and regulatory reporting solutions for the financial services industry, announces a major global contract with another tier one bank – Société Générale – for its COLLINE collateral management solution. This major contract is expected to generate revenues of more than £2m in the first two years and contribute to future years. Read the French version of this press … Continue reading
La Societe Generale choisit Lombard Risk’s COLLIN...
COLLINE: système unifié pour les produits dérivés OTC, repo et gestion des garanties de prêts de titre LONDRES, Royaume-Uni Lombard Risk Management plc (LSE: LRM) (« Lombard Risk »), l’un des premiers prestataires de services de gestion unifiée des garanties, de solutions de reddition réglementaire de comptes et de liquidités de l’industrie des services financiers, annonce un grand contrat mondial avec une banque tierce, la Société Générale, concernant son activité de gestion des garanties COLLINE. Ce contrat majeur devrait générer … Continue reading
Lombard Risk expands collateral management team with bu...
LONDON, UK – 29th June 2011: Lombard Risk Management plc (LSE:LRM) (“Lombard Risk”), a leading provider of integrated collateral management, liquidity and regulatory reporting solutions for the financial services industry, today announces 2 key business appointments to the COLLINE collateral management team. Elaine MacAllan, who has over 10 years’ experience managing Repo and Securities Lending and OTC Collateral, Prime Brokerage Margin and Portfolio Reconciliation, joins from Credit Suisse where she held a Senior VP role in the Collateral Department. Elaine … Continue reading
28 June 2011: Lombard Risk demonstrates COREP as part o...
Lombard Risk Management plc (LSE: LRM) (“Lombard Risk”), a leading provider of integrated collateral management, liquidity and regulatory reporting solutions for the financial services industry, Continue reading
24 May 2011: Marfin Popular Bank selects Lombard Risk s...
LONDON, UK – 24th May 2011: Lombard Risk Management plc (LSE:LRM) (“Lombard Risk”), a leading provider of integrated collateral management and liquidity and regulatory reporting solutions for the financial services industry, today announced that Marfin Popular Bank has selected Lombard Risk’s group liquidity management solution, (STB-)Reporter. Marfin Popular Bank Public Co Ltd resulted from a merger of the Groups of Marfin, Egnatia and Laiki which was completed in 2007. The Group is recognised as the second largest Banking Group in … Continue reading
Preliminary results from Lombard Risk on LSE Lombard Ri...
LONDON, UK – 9th May 2011: Lombard Risk Management plc (LSE:LRM) (“Lombard Risk”), “), a leading global provider of collateral management, liquidity and regulatory reporting and compliance solutions for the financial services industry, is pleased to announce its preliminary results for the year to 31st March 2011. Full announcement on Regulatory News Service on London Stock Exchange: HERE John Wisbey, CEO of Lombard Risk commented on the results: “The Company has made great progress in the year and is now … Continue reading
Positive Trading Update from Lombard Risk on LSE...
Download in PDF format >> (323 kB) LONDON, UK – 18th February 2011: Lombard Risk Management plc (LSE:LRM) (“Lombard Risk”), a leading global provider of collateral management, liquidity and regulatory reporting and compliance solutions for the financial services industry, is pleased to announce an Update on Trading for the current financial year ending 31st March 2011. The board is pleased to announce that trading during the first ten months of the financial year to 31st March 2011 has been positive … Continue reading
Lombard Risk announces real-time platform to manage col...
Download in PDF format >> (313 kB) LONDON, UK – 17th March 2011: Lombard Risk Management plc (LSE:LRM) (“Lombard Risk”), a leading provider of integrated collateral management, liquidity and regulatory reporting solutions for the financial services industry, today announced the release of Colline® CCP (Central CounterParty) – proactive collateral management for centrally cleared transactions. This latest version of Colline CCP has been developed to meet the demand for a real-time unified view of centrally cleared and bilateral trades of all … Continue reading
Lombard Risk expands senior management team to continue...
CFO / Group Sales and Marketing Directors Download in PDF format >> (405 kB) LONDON, UK – 18th February 2011: Lombard Risk Management plc (LSE:LRM) (“Lombard Risk”), a leading global provider of integrated collateral management, liquidity and regulatory reporting and compliance suite of web-deployable solutions for the financial services industry, today announced the appointment of three key executives to join the existing senior management team in leading the company through the planned expansion following the rapid growth experienced in 2010 … Continue reading